Solution : https://service.sap.com/sap/support/notes/204304 (SAP Service marketplace login required)
Key words :
attached notes describe, additional key words, conflict-resolution transport, 51 solution import add-, current spam update, symptom collective note, releases sap insurance 4, sap insurance 4, prerequisites add-, transaction spam
Related Notes :
| 209326 | Deposit account interest calculation run: Log |
| 207681 | Scrollbar in returns processing cannot moved down |
| 207623 | Interest: CO default account assignments |
| 207367 | Payment lot, selection by amount |
| 207255 | Ins.obj.:Mult.creat.of same partn.to same corr.type |
| 207205 | Dunning history: Incorrect selection |
| 206991 | Create alt.receiver in contr.acct via direct input |
| 206926 | Cash payment: overpayments w/ Belgian Francs |
| 206912 | Installment plan: Error in BAPI CREATEFROMDATA |
| 206884 | In Credit clerification is not filled date ID and ID |
| 206820 | FPE1:Incor.combinatn GPART/VKONT after line deletion |
| 206793 | Planned change docs not activated in activation run |
| 206569 | Credit clerification - icon of button Locks maintain does no |
| 206480 | Clearing via accounts with several contracts |
| 206466 | Automatic clearing: Error during locking |
| 206348 | Dump during the creation of payment plan items |
| 206344 | Credit clerification: missing F4 help for Bank details ID |
| 206261 | Automatic clearing: additional log - incorr. message |
| 206103 | Installmnt plan:Change partly paid installmnt to 0 |
| 206021 | ISISCD: Posten ausbuchen, Fehlermeldung Vertrag & ist zum Ge |
| 206014 | Suppress addr_memory_save f. future address changes |
| 206009 | Write off: CO default account assignments |
| 205960 | FPY1: Scheduling payment medium run |
| 205821 | Credit clarification, error in write off. |
| 205803 | Cash desk: Error >0065 is not issued |
| 205740 | Error posting broker report from Broker's Desktop |
| 205658 | Problems with clearing in Credit posting clerification |
| 205489 | Dir.inp. insur.obj.:create corresp.types w/o recvrs |
| 205419 | Receivables report:Incorrect text adjustment reason |
| 204675 | Automatic clearing: Doc. blocked by other clearing |
| 204672 | Blocks in BAPI CtrAcContractAccount |
| 204622 | Premature revenue posting and CO |
| 204592 | Error premature revenue posting 'exec.payment plan' |
| 204533 | Installment plan: Printing via method CREATE |
| 204388 | FPY1: Incomplete clearing / interval blocks |
| 204318 | FPY1: Terminat: reconciliation key closed too soon |
| 181278 | FPE1: Customer-specific subscreens e |